Votre navigateur est obsolète! Essayer d’ouvrir cette page web sur un autre navigateur.
Go to content

Our funds' net asset values

Our investment approach is intended to offer as much transparency as possible. Our funds in a nutshell:

Thematic

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Funds
Latest NAV
03.26.2025
Net asset value
€481.05
2025 performance
7.49%
5-year performance
29.87%
Funds
Latest NAV
03.26.2025
Net asset value
€529.34
2025 performance
7.62%
5-year performance
33.89%
Funds
Latest NAV
03.26.2025
Net asset value
€437.3
2025 performance
7.37%
5-year performance
27.44%
Funds
Latest NAV
03.26.2025
Net asset value
€490.26
2025 performance
7.62%
5-year performance
33.88%
Latest NAV
03.26.2025
Net asset value
€158.57
2025 performance
2.76%
5-year performance
54.76%
Latest NAV
03.26.2025
Net asset value
€145.56
2025 performance
2.53%
5-year performance
48.45%
Latest NAV
03.26.2025
Net asset value
€91.56
2025 performance
2.75%
5-year performance
Latest NAV
03.26.2025
Net asset value
€195.68
2025 performance
7.19%
5-year performance
79.04%
Latest NAV
03.26.2025
Net asset value
€180.74
2025 performance
6.96%
5-year performance
71.2%
Latest NAV
03.26.2025
Net asset value
€162.36
2025 performance
7.18%
5-year performance
78.69%
Latest NAV
03.26.2025
Net asset value
€91.81
2025 performance
-4.97%
5-year performance
Latest NAV
03.26.2025
Net asset value
€927.4
2025 performance
-4.9%
5-year performance
Latest NAV
03.26.2025
Net asset value
€1,054.33
2025 performance
-4.9%
5-year performance
Latest NAV
03.26.2025
Net asset value
€87.46
2025 performance
-1.04%
5-year performance
Latest NAV
03.26.2025
Net asset value
€91.94
2025 performance
-4.96%
5-year performance
Latest NAV
03.26.2025
Net asset value
€88.9
2025 performance
-5.16%
5-year performance
Latest NAV
03.26.2025
Net asset value
€165.6
2025 performance
-7.65%
5-year performance
Latest NAV
02.07.2024
Net asset value
€0
2025 performance
-100%
5-year performance
Latest NAV
03.26.2025
Net asset value
€1,665.07
2025 performance
-7.59%
5-year performance
Latest NAV
03.26.2025
Net asset value
€151.34
2025 performance
-3.83%
5-year performance
Latest NAV
03.26.2025
Net asset value
€164.81
2025 performance
-7.64%
5-year performance
Latest NAV
09.15.2022
Net asset value
€0
2025 performance
-100%
5-year performance
Latest NAV
03.26.2025
Net asset value
€157.18
2025 performance
-7.83%
5-year performance
Latest NAV
03.26.2025
Net asset value
€157.66
2025 performance
-7.84%
5-year performance
Latest NAV
03.26.2025
Net asset value
€132.15
2025 performance
-7.76%
5-year performance
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
03.26.2025
Net asset value
€165.85
2025 performance
-7.64%
5-year performance
Funds
Latest NAV
03.26.2025
Net asset value
€84.26
2025 performance
4.5%
5-year performance
Funds
Latest NAV
03.26.2025
Net asset value
€80.74
2025 performance
4.52%
5-year performance
Funds
Latest NAV
03.26.2025
Net asset value
€81.35
2025 performance
4.28%
5-year performance
Funds
Latest NAV
03.26.2025
Net asset value
€80.4
2025 performance
4.29%
5-year performance
Latest NAV
03.26.2025
Net asset value
€125.33
2025 performance
-2.63%
5-year performance
Latest NAV
03.26.2025
Net asset value
€1,265.74
2025 performance
-2.56%
5-year performance
Latest NAV
03.26.2025
Net asset value
€119.75
2025 performance
1.39%
5-year performance
Latest NAV
03.26.2025
Net asset value
€124.19
2025 performance
-2.71%
5-year performance
Latest NAV
03.26.2025
Net asset value
€121.35
2025 performance
-2.83%
5-year performance
Latest NAV
03.26.2025
Net asset value
€94.27
2025 performance
-4.16%
5-year performance

Multi-themed

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
03.26.2025
Net asset value
€835.07
2025 performance
5.19%
5-year performance
Latest NAV
03.26.2025
Net asset value
€760.56
2025 performance
5.07%
5-year performance
Latest NAV
03.26.2025
Net asset value
€103.05
2025 performance
5.31%
5-year performance
Latest NAV
03.26.2025
Net asset value
€130.34
2025 performance
5.32%
5-year performance
Funds
Latest NAV
03.26.2025
Net asset value
€6,175.37
2025 performance
5.08%
5-year performance
57.04%
Funds
Latest NAV
03.26.2025
Net asset value
€5,436.34
2025 performance
4.84%
5-year performance
48.32%
Latest NAV
03.26.2025
Net asset value
€612.68
2025 performance
8.33%
5-year performance
87.87%
Latest NAV
03.26.2025
Net asset value
€531.34
2025 performance
8.19%
5-year performance
78.64%
Latest NAV
03.26.2025
Net asset value
€537.26
2025 performance
8.07%
5-year performance
78.8%
Latest NAV
03.26.2025
Net asset value
€550.56
2025 performance
8.28%
5-year performance
87.62%
Latest NAV
03.26.2025
Net asset value
€191.55
2025 performance
8.21%
5-year performance
83.18%
Latest NAV
03.26.2025
Net asset value
€178.17
2025 performance
9.34%
5-year performance
125.99%
Latest NAV
03.26.2025
Net asset value
€155.03
2025 performance
9.16%
5-year performance
92.9%
Latest NAV
03.26.2025
Net asset value
€141.91
2025 performance
8.63%
5-year performance
91.41%
Latest NAV
03.26.2025
Net asset value
€171.88
2025 performance
8.24%
5-year performance
87.45%
Latest NAV
03.26.2025
Net asset value
€167.58
2025 performance
8.24%
5-year performance
87.45%
Latest NAV
03.26.2025
Net asset value
€158.08
2025 performance
8.04%
5-year performance
78.4%
Latest NAV
03.26.2025
Net asset value
€158.08
2025 performance
8.04%
5-year performance
78.4%
Funds
Latest NAV
03.26.2025
Net asset value
€102.07
2025 performance
-0.19%
5-year performance

Flexible

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Funds
Latest NAV
03.26.2025
Net asset value
€341.09
2025 performance
3.02%
5-year performance
6.64%
Funds
Latest NAV
03.26.2025
Net asset value
€316.75
2025 performance
2.9%
5-year performance
4.42%
Funds
Latest NAV
03.26.2025
Net asset value
€371.23
2025 performance
3.21%
5-year performance
10%
Funds
Latest NAV
03.26.2025
Net asset value
€325.58
2025 performance
3.21%
5-year performance
10.38%
Funds
Latest NAV
03.26.2025
Net asset value
€1,817.61
2025 performance
3.28%
5-year performance
34.46%
Funds
Latest NAV
03.26.2025
Net asset value
€1,647.84
2025 performance
3.11%
5-year performance
29.3%
Funds
Latest NAV
03.26.2025
Net asset value
€1,436.06
2025 performance
2.97%
5-year performance
25.1%
Funds
Latest NAV
03.26.2025
Net asset value
€1,779.07
2025 performance
3.22%
5-year performance
32.98%
Funds
Latest NAV
03.26.2025
Net asset value
€1,597.31
2025 performance
3.22%
5-year performance
32.99%
Funds
Latest NAV
03.26.2025
Net asset value
€95.71
2025 performance
3.02%
5-year performance
28.41%
Latest NAV
03.26.2025
Net asset value
€148.04
2025 performance
0.93%
5-year performance
22.76%
Latest NAV
03.26.2025
Net asset value
€171.25
2025 performance
1.16%
5-year performance
28.8%
Latest NAV
03.26.2025
Net asset value
€141.64
2025 performance
0.93%
5-year performance
22.76%
Latest NAV
03.26.2025
Net asset value
€114.45
2025 performance
5.09%
5-year performance
19.29%
Latest NAV
12.15.2023
Net asset value
€0
2025 performance
-100%
5-year performance
Latest NAV
03.26.2025
Net asset value
€93.72
2025 performance
-0.02%
5-year performance
19.19%
Funds
Latest NAV
02.05.2025
Net asset value
€99.57
2025 performance
3.19%
5-year performance
-0.52%
Funds
Latest NAV
12.14.2023
Net asset value
€0
2025 performance
-100%
5-year performance
-100%
Funds

ESC Convictions R

FR0013344322
Latest NAV
03.26.2025
Net asset value
€101.23
2025 performance
-0.13%
5-year performance
11.56%
Funds

SP Convictions R

FR0013154499
Latest NAV
03.26.2025
Net asset value
€107.35
2025 performance
-2.91%
5-year performance
12.07%
Latest NAV
03.26.2025
Net asset value
€110.46
2025 performance
0.98%
5-year performance
23.68%
Latest NAV
03.26.2025
Net asset value
€113.54
2025 performance
1.13%
5-year performance
28.15%
Latest NAV
03.26.2025
Net asset value
€115.02
2025 performance
1.13%
5-year performance
27.89%
Latest NAV
03.26.2025
Net asset value
€115.34
2025 performance
1.12%
5-year performance
28.19%
Latest NAV
03.26.2025
Net asset value
€113.11
2025 performance
-0.97%
5-year performance
18.6%
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
03.26.2025
Net asset value
€104.91
2025 performance
0.16%
5-year performance
Latest NAV
03.26.2025
Net asset value
€110.51
2025 performance
0.13%
5-year performance
Latest NAV
03.26.2025
Net asset value
€107.44
2025 performance
-1.05%
5-year performance
Latest NAV
03.26.2025
Net asset value
€112.7
2025 performance
-1.17%
5-year performance
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
03.26.2025
Net asset value
€100.32
2025 performance
-0.67%
5-year performance
Latest NAV
03.26.2025
Net asset value
€115.52
2025 performance
-0.83%
5-year performance
Latest NAV
03.26.2025
Net asset value
€91.49
2025 performance
-4.13%
5-year performance

Credit

Funds
Latest NAV
Net asset value
2025 performance
5-year performance
Latest NAV
03.26.2025
Net asset value
€140.85
2025 performance
0.14%
5-year performance
19.88%
Latest NAV
03.26.2025
Net asset value
€104.15
2025 performance
0.14%
5-year performance
19.87%
Latest NAV
03.26.2025
Net asset value
€131.45
2025 performance
0.02%
5-year performance
16.53%
Latest NAV
03.26.2025
Net asset value
€112.61
2025 performance
4.13%
5-year performance
14.07%
Latest NAV
03.26.2025
Net asset value
€105.97
2025 performance
-0%
5-year performance
16.19%
Latest NAV
03.26.2025
Net asset value
€115.24
2025 performance
0.14%
5-year performance
12.16%
Latest NAV
03.26.2025
Net asset value
€101.79
2025 performance
0.14%
5-year performance
Funds

Sycoyield 2026 IC

FR001400A6X2
Latest NAV
03.26.2025
Net asset value
€117.01
2025 performance
0.82%
5-year performance
Funds

Sycoyield 2026 RC

FR001400A6Y0
Latest NAV
03.26.2025
Net asset value
€115.47
2025 performance
0.7%
5-year performance
Funds

Sycoyield 2026 ID

FR001400H3J1
Latest NAV
03.26.2025
Net asset value
€110.16
2025 performance
0.82%
5-year performance
Latest NAV
03.26.2025
Net asset value
€108.03
2025 performance
-0.12%
5-year performance
Latest NAV
03.26.2025
Net asset value
€108.01
2025 performance
-0.12%
5-year performance
Latest NAV
03.26.2025
Net asset value
€107.45
2025 performance
-0.23%
5-year performance
Latest NAV
03.26.2025
Net asset value
€107.97
2025 performance
-0.12%
5-year performance
Funds

Sycoyield 2030 IC

FR001400MCP8
Latest NAV
03.26.2025
Net asset value
€107.81
2025 performance
0.63%
5-year performance
Funds

Sycoyield 2030 ID

FR001400MCR4
Latest NAV
03.26.2025
Net asset value
€107.81
2025 performance
0.63%
5-year performance
Funds

Sycoyield 2030 RC

FR001400MCQ6
Latest NAV
03.26.2025
Net asset value
€107.16
2025 performance
0.51%
5-year performance
Latest NAV
03.26.2025
Net asset value
€104.13
2025 performance
0.79%
5-year performance
Latest NAV
03.26.2025
Net asset value
€104.15
2025 performance
0.79%
5-year performance
Latest NAV
03.26.2025
Net asset value
€103.91
2025 performance
0.75%
5-year performance

Follow our news

Complete this form to subscribe to our news by e-mail.
By clicking on "Subscribe" you accept our data protection policy.